Global Market Strategies

We invest across liquid and private credit markets with a disciplined, opportunity-driven approach. Leveraging global insight and deep structuring expertise, our platform delivers resilient, risk-adjusted returns through tailored credit solutions and tactical deployment.

Precision Capital Across the Credit Spectrum

Our Global Market Strategies platform delivers dynamic, risk-adjusted returns through an integrated suite of credit and credit-adjacent investment strategies. We advise and manage a broad array of vehicles and mandates that span the entire credit spectrum, including liquid credit, private credit, opportunistic and special situations, direct lending, and real assets credit, as well as structured credit and tactical private capital solutions.

Our approach is anchored in fundamental credit underwriting, active portfolio construction, and opportunistic capital deployment across market cycles. This platform also supports specialized strategies in asset-backed finance, distressed and dislocated credit, and bespoke private lending, allowing for precision-targeted exposure to inefficiencies in both public and private credit markets.

We combine the deep industry and structuring expertise of our investment professionals with the global reach, deal flow, and proprietary insights of Alliance Global’s broader network. This enables us to originate tailored financing solutions for borrowers while identifying idiosyncratic opportunities that deliver attractive, scalable returns for investors.

Whether through senior secured loans, subordinated debt, uni-tranche financing, or customized asset-backed facilities, our teams bring creativity, agility, and discipline to every transaction—deploying capital with purpose in pursuit of resilient, income-generating credit exposure.

Global Credit Platform

Our Global Credit platform is designed to deliver consistent, risk-adjusted returns across market cycles by investing throughout the credit spectrum. Our platform spans liquid, private, structured, and infrastructure-related credit, offering customized capital solutions for borrowers and flexible entry points for investors. Our core focus areas include:

Liquid Credit

Our liquid credit strategies primarily invest in performing senior secured bank loans through collateralized loan obligations (CLOs) and related vehicles. These investments are designed to provide stable yield, capital preservation, and diversification within broadly syndicated loan markets.

Private Credit
Our opportunistic credit team targets privately negotiated, event-driven transactions that span the capital structure. Investments typically include secured loans, senior subordinated and mezzanine debt, convertible instruments, and selective preferred or common equity positions. The strategy also pursues special situations, including complex restructurings and market dislocations, where pricing inefficiencies or transitional events create asymmetric return potential. In certain cases, we may restructure pre-reorganization debt into control equity stakes in post-reorganization entities.
Our direct lending platform provides tailored financing to middle-market companies with annual EBITDA ranging from $10 million to $250 million. We primarily originate first-lien loans—including unitranche, “first out,” and “last out” structures—as well as second-lien loans for borrowers that lack direct access to syndicated credit or capital markets.
Our Asset-Backed Finance strategy focuses on acquiring or financing diversified pools of income-generating assets with contractual cash flows. By combining private credit underwriting, liquid market expertise, and capital markets execution, our ABF team delivers structured, asset-focused credit solutions that offer enhanced return potential relative to traditional fixed income.
We originate and structure debt solutions for global infrastructure projects, with exposure across power, energy, transportation, water and waste, digital infrastructure, and social infrastructure. These transactions typically include senior, subordinated, and mezzanine debt, with a primary focus on OECD markets and long-duration, inflation-linked cash flows.
Our tactical private credit strategies allocate flexibly across the full breadth of the Global Credit platform, capitalizing on market inefficiencies, dislocations, or investor-specific mandates. These strategies provide multi-strategy exposure tailored to meet the evolving needs of institutional and ultra-high-net-worth investors through curated, cross-vertical deployment.
Industries We Serve
Global real estate investments in commercial, residential, and mixed-use assets.
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Investments in streaming, immersive media, AI content, and digital engagement.
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Investing in logistics tech, autonomous mobility, and smart freight systems.
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Fintech investments in AI, DeFi, digital banking, and financial inclusion.
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Alliance Global Capital Fund invests in diversified industrials with a focus on Industry 4.0, automation, and sustainable manufacturing. Our portfolio spans robotics, additive manufacturing, and...
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Sustainable investments in waste-to-energy, recycling, and environmental remediation technologies.
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